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Cash flow information (Details) - GBP (£)
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Cash flow information      
Loss before income tax £ (149,623,000) £ (24,027,000) £ (20,818,000)
Depreciation 14,314,000 14,959,000 14,756,000
Impairment charge     3,787,000
Amortization 151,462,000 124,398,000 126,756,000
Profit on disposal of intangible assets (21,935,000) (7,381,000) (18,384,000)
Net finance costs/(income) 62,239,000 (12,899,000) 26,039,000
Non-cash employee benefit expense - equity-settled share-based payments 198,000 2,085,000 818,000
Foreign exchange losses/(gains) on operating activities 50,000 874,000 (816,000)
Reclassified from hedging reserve (672,000) 2,239,000 12,180,000
Changes in working capital:      
Inventories (120,000) 106,000 (56,000)
Prepayments (8,825,000) (282,000) 6,527,000
Contract assets - accrued revenue 4,305,000 5,422,000 (6,434,000)
Trade receivables (520,000) 71,695,000 (83,197,000)
Other receivables (1,109,000) (221,000) 949,000
Contract liabilities - deferred revenue 41,618,000 (49,407,000) (33,167,000)
Trade and other payables 22,480,000 5,415,000 (11,371,000)
Provisions 7,842,000 4,802,000  
Cash generated from operations 121,704,000 137,778,000 17,569,000
Adjustments for:      
Increase/(decrease) in changes to trade receivables 7,673,000 (17,210,000) 42,742,000
Increase/(decrease) in changes in trade and other payables £ 40,276,000 £ (12,652,000) £ (30,784,000)